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help with all parts please! Question Help * -4g lmilar to Consider a portfolio cons st g of the follo ng three stocks The volatility

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Question Help * -4g lmilar to Consider a portfolio cons st g of the follo ng three stocks The volatility of the market portfolio is 10% and it has an expected return of 8% The nsk free rate is 3% a. Compute the beta and expected return of each stock b. Using your answer from part (a), calculate the expected return of the portolio c. What is the beta of the portiolio? d. Using your answer from part (c), calculate the expected return of the portfolio and venfy that it matches your answer to part (b) a. Compute the beta and expected return of each stock (Round to two decimal places) es Bta Expecd Returm Portfollo Weight Volatility Correlation Beta Expected Return 0 27 12% HEC Corp 0.35 Green Midget Alive And Well 20% ing 0.38 0.57 12% Enter your answer in the eait fields and then cick Check eon telis cck Checex Answier

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